Implementing climate risks into the portfolio management process

This whitepaper describes Fidelity International’s view on investment options in Fixed Income on how to handle climate risks.

It also shows why active management is critical for enhancing both the environmental impact and the potential return, shifting the emphasis to carbon reduction, accentuating the ‘environmental outcome’ rather than solely focusing on the principles-based approach of green bonds.

The whitepaper ends with an advice to the sector in environmental investing in Fixed Income.